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20230829_XISR_Laporan Harian atas Nilai Aktiva Bersih dan Komposisi Portofolio_31394703.pdf

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 Nomor Surat                        613/IPIM-RD/VIII/2023.

 Nama Perusahaan                    Reksa Dana KIK Premier ETF SRI-KEHATI

 Kode Emiten                        XISR

 Lampiran                           1

 Perihal                            Laporan Harian atas Nilai Aktiva Bersih dan Komposisi Portofolio (KOREKSI)


Mengoreksi surat kami nomor : 613/IPIM-RD/VIII/2023 tanggal 29 Agustus 2023 perihal Laporan Harian atas Nilai
Aktiva Bersih dan Komposisi Portofolio, dengan ini perseroan menyampaikan hal sebagai berikut:

Kami menyampaikan Nilai Aktiva Bersih (NAB) per tanggal 29 Agustus 2023

Reksa Dana KIK Premier ETF SRI-KEHATI adalah sebesar 1.694.898.484.935,15

Komposisi portofolio ETF adalah sebagaimana terlampir.

Informasi Lain




 Demikian untuk diketahui.


 Hormat Kami,
 Reksa Dana KIK Premier ETF SRI-KEHATI




 Suwito Haryatno

 Suwito Haryatno




 Reksa Dana KIK Premier ETF SRI-KEHATI
 Wisma GKBI 7/F Suite 719
 Telepon : 021 5793 1260 , Fax : 021 5793 1222, www.premierreksadanaonline.com



 Nama Pengirim                      Suwito Haryatno

 Jabatan                            Suwito Haryatno
 Tanggal dan Waktu                  29-08-2023 18:31

 Lampiran                          1. 20230829XISR.pdf


  Dokumen ini merupakan dokumen resmi Reksa Dana KIK Premier ETF SRI-KEHATI yang tidak memerlukan tanda
   tangan karena dihasilkan secara elektronik oleh sistem pelaporan elektronik. Reksa Dana KIK Premier ETF SRI-
                KEHATI bertanggung jawab penuh atas informasi yang tertera didalam dokumen ini.
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 Letter / Announcement No.           613/IPIM-RD/VIII/2023.

 Issuer Name                         Reksa Dana KIK Premier ETF SRI-KEHATI

 Issuer Code                         XISR

 Attachment                          1

 Subject                             Daily Report of Net Asset Value and Portfolio Composition (KOREKSI)


Correction to our previous announcement number : 613/IPIM-RD/VIII/2023. dated 29 August 2023 with the subject of
Daily Report of Net Asset Value and Portfolio Composition, the company hereby submit the following information:

The Company reports Net Asset Value (NAV) as of 29 August 2023

Reksa Dana KIK Premier ETF SRI-KEHATI amounted : 1.694.898.484.935,15

ETF portfolio composition is as attached.

Other Information:




 Thus to be informed accordingly.


 Respectfully,
 Reksa Dana KIK Premier ETF SRI-KEHATI




 Suwito Haryatno

 Suwito Haryatno




 Reksa Dana KIK Premier ETF SRI-KEHATI
 Wisma GKBI 7/F Suite 719
 Phone : 021 5793 1260 , Fax : 021 5793 1222, www.premierreksadanaonline.com



 Sender Name                         Suwito Haryatno

 Function                            Suwito Haryatno

 Date and Time                       29-08-2023 18:31

 Attachment                         1. 20230829XISR.pdf


    This is an official document of Reksa Dana KIK Premier ETF SRI-KEHATI that does not require a signature as it
   was generated electronically by the electronic reporting system. Reksa Dana KIK Premier ETF SRI-KEHATI is fully
                             responsible for the information contained within this document.

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